Lockheed Martin Corporation(LMT)
NASDAQ

Fundamental Analysis & Financials

$510.95
-21.37 (-4.01%)

Valuation Snapshot

What the multiples imply about expectations

The market considers the company to be a mid-cap company with a significant market presence. At current multiples, it trades moderately valued—balancing growth expectations with current fundamentals.

Valuation Metrics

Ratios and multiples

Forward P/E
16.21
EV/Revenue (TTM)1.82
Price/FCF (TTM)29.55

Financial Health

Liquidity and leverage

ROE (TTM)67.64%
ROA (TTM)7.23%
Debt/Equity (MRQ)276.37

The company's financial health appears excellent. High ROE and strong ROA reflect highly efficient capital use. Note: ROE is materially amplified by leverage and share repurchases. Debt is elevated but represents structural leverage for shareholder return strategy (buybacks) rather than operational stress.

Valuation Multiples

Current valuation metrics

P/E Ratio24.74
P/B Ratio15.69
P/S Ratio1.57
EV/EBITDA17.09
PEG Ratio1.11

Quarterly Earnings History

Recent quarterly financial performance and trends

Latest Quarter
Q1 2026
Revenue (TTM)
$18.02B
Net Income (TTM)
$1.49B
EPS (Diluted)
$6.44
QuarterRevenueNet IncomeGross ProfitEPS (Basic)EPS (Diluted)Gross MarginNet Margin
Q1 2026(Latest)$18.02B$1.49B$2.08B$6.47$6.4411.5%8.3%
Q4 2025$20.32B$1.34B$2.32B$5.82$5.8011.4%6.6%
Q3 2025$18.61B$1.62B$2.24B$6.98$6.9512.0%8.7%
Q2 2025$18.16B$342.00M$734.00M$1.46$1.464.0%1.9%
Q1 2025$17.96B$1.71B$2.32B$7.30$7.2812.9%9.5%

Key Insights:

  • Revenue decreased by 11.3% from previous quarter
  • Net margin of 8.3% indicates moderate profitability
  • EPS improved by 11.0% quarter-over-quarter

Financial Efficiency

Utilization and collections performance

Asset Turnover 1.26 indicates high efficiency. Receivables Turnover 19.25 and DSO 18.96 reflect excellent collections. Working Capital Turnover 37.05 is highly efficient. ROIC 16.9% highlights moderate capital returns.

Efficiency Metrics

Asset Turnover1.26
Receivables Turnover19.25
Working Capital Turnover37.05
Days Sales Outstanding18.96
Days Inventory Outstanding19.08
ROIC (TTM)16.9%
Inventory Turnover19.13
Cash Conversion Cycle18.38

Profitability & Growth

Margins and earnings power

Revenue (TTM)
$75.11B
0.30 YoY
Profit Margin (TTM)
6.38%
Operating Margin (TTM)
11.00%
Gross Profit (TTM)
$7.44B
Gross Margin 9.91%
EBITDA (TTM)
$7.99B
EBITDA Margin 10.65%
Net Income (TTM)
$4.79B
Earnings -11.50% YoY

Efficiency Performance Matrix

4-quadrant analysis of operational efficiency vs profitability

Efficiency vs Profitability Quadrants

High Efficiency
High Margin
High Efficiency
Low Margin
Low Efficiency
High Margin
Low Efficiency
Low Margin

Efficiency Analysis

Asset Turnover
Efficiency:1.26x
Margin:9.9%
Quadrant:Efficiency-Driven
Receivables Turnover
Efficiency:19.25x
Margin:11.0%
Quadrant:Efficiency-Driven
Working Capital
Efficiency:37.05x
Margin:6.4%
Quadrant:Efficiency-Driven
Overall Efficiency Score

Mixed efficiency profile requiring targeted improvements

⚠️ Thresholds are benchmark-based heuristics derived from long-term industry averages, not strict valuation rules.

• Bubble size represents ROIC magnitude

• Green (Optimal): Excellent efficiency-profitability balance

• Blue (Efficiency-Driven): High turnover, room to improve margins

• Yellow (Margin-Driven): Strong margins, opportunity to improve efficiency

• Red (Weak Operations): Areas needing improvement on both dimensions

Market Data & Share Structure

Comprehensive valuation metrics and ownership breakdown

Market Data & Capitalization

Market Cap
$119.91B
Mega-cap: Premium liquidity & institutional favorite
Enterprise Value
$138.71B
EV 16% > Market Cap: Net debt position
Next Earnings Date
04/23/2026
Scheduled quarterly results announcement

Share Statistics & Ownership

Shares Outstanding
230.56M
Total shares issued and held by all shareholders
Shares Float
197.61M
86% float - good liquidity
Institutional Ownership
76.02%
High - professional investor base
Insider Ownership
10.30%
High alignment - strong insider conviction
Shares Short
2.55M
1.3% of float - minimal short interest
Implied Shares Outstanding
230.56M
Matches reported shares - consistent data

Profitability Margin Pyramid

Hierarchical view of margin compression from revenue to net income

Margin Hierarchy by Profitability Level

100.0%
Revenue
$75.11B
9.9%
Gross Profit
$7.44B
10.7%
EBITDA
$7.99B
6.4%
Net Income
$4.79B
Margin Profile:
Revenue100.0% margin (Top line revenue generation)
Gross Profit9.9% margin (Revenue minus cost of goods sold)
EBITDA10.7% margin (Earnings before interest, taxes, depreciation, and amortization)
Net Income6.4% margin (Bottom line profitability after all expenses)

Margin Analysis

Total Revenue

Amount:$75.11B
Margin:100.0%
Top line revenue generation

Gross Profit

Amount:$7.44B
Margin:9.9%
Revenue minus cost of goods sold

EBITDA

Amount:$7.99B
Margin:10.7%
Earnings before interest, taxes, depreciation, and amortization

Net Income

Amount:$4.79B
Margin:6.4%
Bottom line profitability after all expenses

Margin Quality Assessment

Moderate margins requiring efficiency improvements

• Larger circles represent higher dollar amounts

• Margin percentages show profitability at each level

• Blue: Revenue base

• Green: Gross profitability

• Yellow: Operating performance

• Red: Net profitability

Operating Cash & Liquidity

Core cash generation and short-term solvency

Cash Flow Analysis

Operating Cash Flow (TTM)

$7.37B

Cash from core operations

Free Cash Flow (TTM)

$3.99B

Available after capex

Financial Position & Liquidity

Current Ratio

1.14

Adequate

Quick Ratio

0.91

Fair

Net Cash

$-18.80B

Net debtor

Total Cash

$1.89B

Balance sheet cash

Total Debt

$20.70B

Outstanding borrowings

Ownership & Shareholder Sentiment

Insider, institutional, and short interest positions

Insider Ownership

10.30%

Strong confidence

Institutional Ownership

76.02%

Majority backing

Short % of Float

132.00%

Heavy bearish

Short Ratio (Days)

1.6d

days to cover

Ownership structure shows strong insider confidence and institutional majority backing.

Dividends & Shareholder Returns

Policy stance and implications

The company maintains a sustainable dividend policy with a payout ratio of 65.4% (FCF coverage: 1.3x). Cash flow provides adequate dividend support with room for continued payments.

Payout Ratio
65.38%
Trailing Dividend Rate
13.5
Trailing Dividend Yield
2.64%
5 Year Avg Dividend Yield
2.63%
Forward Annual Dividend Rate
13.8
Forward Annual Dividend Yield
2.70%
Ex-Dividend Date
06/01/2026
Last Split
01/04/1999 (2.00)